SB44-SSA1,304,28
20.380
(1) (b)
Tourism marketing; general purpose revenue. The amounts in the
9schedule for tourism marketing service expenses and the execution of the functions
10under ss. 41.11 (4) and 41.17 and the grants under
1997 Wisconsin Act 27, section
119148 (2f) and (2x). In each fiscal year, the department shall expend for tourism
12marketing service expenses and the execution of the functions under ss. 41.11 (4) and
1341.17 an amount that bears the same proportion to the amount in the schedule for
14the fiscal year as the amount expended under par. (kg) in that fiscal year bears to the
15amount in the schedule for par. (kg) for that fiscal year. Of the amounts under this
16paragraph, not more than 50% shall be used to match funds allocated under s. 41.17
17by private or public organizations for the joint effort marketing of tourism with the
18state. The department shall expend at least $125,000 in each fiscal year from this
19appropriation to conduct or contract for marketing activities related to sporting
20activities and events
and shall expend at least $3,950,000 in each fiscal year from
21this appropriation and the appropriation under par. (kg), combined, for marketing
22activities in media markets outside of Wisconsin to promote Wisconsin as a tourism
23destination for individuals who do not reside in Wisconsin. Of the amounts in the
24schedule, $25,000 shall be allocated in each fiscal year for state sponsorship of, and
25advertising during, media broadcasts of the Milwaukee symphony. Of the amounts
1in the schedule, $50,000 shall be allocated for grants to America's Black Holocaust
2Museum in the city of Milwaukee.
SB44-SSA1,304,204
20.380
(1) (kg)
Tourism marketing; gaming revenue. Biennially, the amounts
5in the schedule for tourism marketing service expenses and the execution of the
6functions under ss. 41.11 (4) and 41.17 and for the grant under
1999 Wisconsin Act
79, section
9149 (2c) and (2tw). In each fiscal year, the department shall expend for
8tourism marketing service expenses and the execution of the functions under ss.
941.11 (4) and 41.17 an amount that bears the same proportion to the amount in the
10schedule for the fiscal year as the amount expended under par. (b) in that fiscal year
11bears to the amount in the schedule for par. (b) for that fiscal year. Of the amounts
12in the schedule, $200,000 shall be allocated for grants to the Milwaukee Public
13Museum for Native American exhibits and activities.
The department shall expend
14at least $3,950,000 in each fiscal year from this appropriation and the appropriation
15under par. (b), combined, for marketing activities in media markets outside of
16Wisconsin to promote Wisconsin as a tourism destination for individuals who do not
17reside in Wisconsin. All moneys transferred from the appropriation account under
18s. 20.505 (8) (hm) 6. shall be credited to this appropriation account. Notwithstanding
19s. 20.001 (3) (b), the unencumbered balance on June 30 of each odd-numbered year
20shall revert to the appropriation account under s. 20.505 (8) (hm).
SB44-SSA1,304,2523
20.395
(1) (dq)
Commuter rail transit system development grants, state funds. 24Biennially, the amounts in the schedule for commuter rail transit system
25development grants under s. 85.064.
SB44-SSA1,305,42
20.395
(1) (dv)
Commuter rail transit system development grants, local funds. 3All moneys received from any local unit of government or other source for commuter
4rail transit system development under s. 85.064, for such purposes.
SB44-SSA1,305,86
20.395
(1) (dx)
Commuter rail transit system development grants, federal
7funds. All moneys received from the federal government for commuter rail transit
8system development under s. 85.064, for such purposes.
SB44-SSA1,305,1310
20.395
(2) (fg)
Traffic marking enhancement grant program. From the general
11fund, all moneys transferred from the appropriation account under s. 20.395 (3) (cq)
12as required by 2003 Wisconsin Act .... (this act), section 9153 (4q), for making traffic
13marking enhancement grants under s. 85.027.
SB44-SSA1,305,2015
20.395
(2) (fv)
Local transportation facility improvement assistance, local
16funds. All moneys received from any local unit of government or other source for
17providing public access roads to navigable waters and for the purposes of ss. 84.27
18and, 84.28
, and 85.027 and for improving transportation facilities, including
19facilities funded under applicable federal acts or programs, that are not state trunk
20or connecting highways, for such purposes.
SB44-SSA1, s. 423
21Section
423. 20.395 (3) (ck) (title) of the statutes is amended to read:
SB44-SSA1,305,2322
20.395
(3) (ck) (title)
West Canal Street reconstruction and extension, service
23funds.
SB44-SSA1,306,19
120.395
(3) (cq)
State highway rehabilitation, state funds. As a continuing
2appropriation, the amounts in the schedule for improvement of existing state trunk
3and connecting highways; for improvement of bridges on state trunk or connecting
4highways and other bridges for which improvement is a state responsibility, for
5necessary approach work for such bridges and for replacement of such bridges with
6at-grade crossing improvements; for the construction and rehabilitation of the
7national system of interstate and defense highways and bridges and related
8appurtenances; for special maintenance activities under s. 84.04 on roadside
9improvements; for bridges under s. 84.10; for payment to a local unit of government
10for a jurisdictional transfer under s. 84.02 (8); for the disadvantaged business
11demonstration and training program under s. 84.076; for the transfers required
12under
1999 Wisconsin Act 9, section
9250 (1)
and 2003 Wisconsin Act .... (this act),
13section 9153 (4q); and for the purposes described under
1999 Wisconsin Act 9, section
149150 (8g), and
2001 Wisconsin Act 16, section
9152 (4e). This paragraph does not
15apply to any southeast Wisconsin freeway rehabilitation projects under s. 84.014, or
16to the installation, replacement, rehabilitation, or maintenance of highway signs,
17traffic control signals, highway lighting, pavement markings, or intelligent
18transportation systems, unless incidental to the improvement of existing state trunk
19and connecting highways.
SB44-SSA1,307,721
20.395
(3) (cx)
State highway rehabilitation, federal funds. All moneys
22received from the federal government for improvement of existing state trunk and
23connecting highways; for improvement of bridges on state trunk or connecting
24highways and other bridges for which improvement is a state responsibility, for
25necessary approach work for such bridges and for replacement of such bridges with
1at-grade crossing improvements; for the construction and rehabilitation of the
2national system of interstate and defense highways and bridges and related
3appurtenances; for special maintenance activities under s. 84.04 on roadside
4improvements; and for the disadvantaged business demonstration and training
5program under s. 84.076
,; and all moneys received under 2003 Wisconsin Act .... (this
6act), section 9153 (4q); for such purposes. This paragraph does not apply to any
7southeast Wisconsin freeway rehabilitation projects under s. 84.014.
SB44-SSA1,307,199
20.395
(3) (eq)
Highway maintenance, repair, and traffic operations, state
10funds. Biennially As a continuing appropriation, the amounts in the schedule for the
11maintenance and repair of roadside improvements under s. 84.04, state trunk
12highways under s. 84.07, and bridges that are not on the state trunk highway system
13under s. 84.10; for permit issuance and other highway operations, including the
14installation, replacement, rehabilitation, or maintenance of highway signs, traffic
15control signals, highway lighting, pavement markings, and intelligent
16transportation systems, under ss. 84.04, 84.07, 84.10, and 348.25 to 348.27 and ch.
17349; and for the disadvantaged business demonstration and training program under
18s. 84.076. This paragraph does not apply to special maintenance activities under s.
1984.04 on roadside improvements.
SB44-SSA1,308,621
20.395
(4) (aq)
Departmental management and operations, state funds. The
22amounts in the schedule for departmental planning and administrative activities
23and the administration and management of departmental programs except those
24programs under subs. (2) (bq), (cq), and (dq) and (3) (iq), including those activities in
25s. 85.07 and including not less than $220,000 in each fiscal year to reimburse the
1department of justice for legal services provided the department under s. 165.25 (4)
2(a) and including activities related to the transportation employment and mobility
3program under s. 85.24 that are not funded from the appropriation under sub. (1)
4(bs), (bv)
, or (bx),
and the scholarship and loan repayment incentive grant program
5under s. 85.107,
and the Type 1 motorcycle, moped, and motor bicycle safety program
6under s. 85.30 and to match federal funds for mass transit planning.
SB44-SSA1,308,108
20.395
(4) (as)
Type 1 motorcycle, moped, and motor bicycle safety program. The
9amounts in the schedule for the Type 1 motorcycle, moped, and motor bicycle safety
10program under s. 85.30.
SB44-SSA1,308,1612
20.395
(4) (es)
Other department services, operations, service funds. All moneys
13received as payment for graphic, audiovisual, printing production
, postal, and
14aircraft fleet services for costs associated with these operations relating to materials
15and equipment purchases
, postage, and other such direct costs as the department
16deems appropriate.
SB44-SSA1,308,2318
20.395
(5) (cg)
Vehicle registration, telephone renewal Internet and telephone
19transactions, state funds. From the general fund, all moneys received from
Internet
20and telephone credit card transaction fees
under s. 341.255 (3) for the purpose of
21administering vehicle registration renewals under s. 341.255 (3)
that are authorized
22under s. 85.14 (1) (a) and all moneys received from convenience fees for the purpose
23of paying vendor and Internet charges.
SB44-SSA1,309,5
120.395
(5) (fq)
Motor vehicle emission inspection and maintenance program;
2petroleum inspection fund. From the petroleum inspection fund, the amounts in the
3schedule for administering the motor vehicle emission inspection and maintenance
4program, and to provide for contracts for the operation of inspection stations, under
5s. 110.20.
SB44-SSA1,309,147
20.395
(6) (af)
Principal repayment and interest, local roads for job preservation
8program and major highway and rehabilitation projects, state funds. From the
9general fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the payment of
10principal and interest costs incurred in financing the local roads for job preservation
11program under s. 86.312
and major highway and rehabilitation projects, as provided
12under s. 84.557, and to make the payments determined by the building commission
13under s. 13.488 (1) (m) that are attributable to the proceeds of obligations incurred
14in financing the local roads for job preservation program under s. 86.312.
SB44-SSA1,309,2516
20.395
(6) (as)
Transportation facilities and highway projects revenue
17obligation repayment. From
the any fund created under s. 84.59 (2), all moneys
18received by the fund and not transferred under s. 84.59 (3) to the transportation fund,
19for the purpose of the retirement of revenue obligations, providing for reserves and
20for operations relating to the management and retirement of revenue obligations
21issued under s. 84.59. All moneys received are irrevocably appropriated in
22accordance with subch. II of ch. 18 and further established in resolutions authorizing
23the issuance of the revenue obligations and setting forth the distribution of funds to
24be received thereafter. Estimated disbursements under this paragraph shall not be
25included in the schedule under s. 20.005.
SB44-SSA1,310,62
20.395
(9) (gg)
Credit card use charges. All moneys received under ch. 194, 218,
3341, 342, 343
, or 348 as provided in s. 85.14 (1) (a) that are required to be paid to the
4state treasurer secretary of administration under s. 85.14 (1) (b) for the purpose of
5the payment of charges associated with the use of credit cards that are assessed to
6the department under s. 85.14 (1) (b).
SB44-SSA1,310,158
20.410
(1) (b)
Services for community corrections. The amounts in the schedule
9to provide services related to probation, extended supervision and parole, the
10intensive sanctions program under s. 301.048, the community residential
11confinement program under s. 301.046,
the halfway house program under s.
12301.0465, programs of intensive supervision of adult offenders
, and minimum
13security correctional institutions established under s. 301.13. No payments may be
14made under this paragraph for payments in accordance with other states party to the
15interstate corrections compact under s. 302.25.
SB44-SSA1, s. 439r
16Section 439r. 20.410 (1) (b) of the statutes, as affected by 2003 Wisconsin Act
17.... (this act), is amended to read:
SB44-SSA1,310,2518
20.410
(1) (b)
Services for community corrections. The amounts in the schedule
19to provide services related to probation, extended supervision and parole, the
20intensive sanctions program under s. 301.048, the community residential
21confinement program under s. 301.046,
the halfway house program under s.
22301.0465, programs of intensive supervision of adult offenders
, and minimum
23security correctional institutions established under s. 301.13. No payments may be
24made under this paragraph for payments in accordance with other states party to the
25interstate corrections compact under s. 302.25.
SB44-SSA1,311,72
20.410
(1) (ge)
Administrative and minimum supervision. The amounts in the
3schedule for the supervision of probationers, parolees
, and persons on extended
4supervision under minimum or administrative supervision and for the department's
5costs associated with contracts under s. 301.08 (1) (c) 2. All moneys received from
6vendors under s. 301.08 (1) (c) 4.
and from fees charged under s. 304.073 (2) shall be
7credited to this appropriation account.
SB44-SSA1,312,139
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
10and (hr), the amounts in the schedule for juvenile correctional services specified in
11s. 301.26 (4) (c) and (d)
and to operate the correctional institution authorized under
121997 Wisconsin Act 4, section 4 (1) (a). All moneys received from the sale of surplus
13property, including vehicles, from juvenile correctional institutions operated by the
14department, all moneys received as payments in restitution of property damaged at
15juvenile correctional institutions operated by the department, all moneys received
16from miscellaneous services provided at a juvenile correctional institution operated
17by the department, all moneys transferred under s. 301.26 (4) (cm),
all moneys
18received under 1997 Wisconsin Act 27, section 9111 (2u) and, except as provided in
19par. (hr), all moneys received in payment for juvenile correctional services specified
20in s. 301.26 (4) (d), (dt)
, and (g) shall be credited to this appropriation account. If
21moneys generated by the daily rate under s. 301.26 (4) (d)
, other than moneys
22generated under s. 301.26 (5) (b), exceed actual fiscal year institutional costs
, other
23than the cost of operating the correctional institution authorized under 1997
24Wisconsin Act 4, section 4 (1) (a), by 2% or more, all moneys in excess of that 2% shall
25be remitted to the counties during the subsequent calendar year or transferred to the
1appropriation account under par. (kx) during the subsequent fiscal year. Each
2county and the department shall receive a proportionate share of the remittance and
3transfer depending on the total number of days of placement at juvenile correctional
4institutions including the Mendota Juvenile Treatment Center. Counties shall use
5the funds for purposes specified in s. 301.26. The department shall deposit in the
6general fund the amounts transferred under this paragraph to the appropriation
7account under par. (kx).
Notwithstanding ss. 16.50 (2), 16.52, 20.002 (11), and
820.903, the department may report a projected deficit in this appropriation account
9on June 30 of any odd-numbered year as provided in s. 301.26 (5) (a), the joint
10committee on finance may project a deficit in this appropriation account on June 30
11of any odd-numbered year as provided in s. 301.26 (5) (b) 1., and any deficit projected
12under s. 301.26 (5) (b) 1. shall be recouped during the next fiscal biennium as
13provided in s. 301.26 (5) (b) 2.
SB44-SSA1, s. 442
14Section
442. 20.425 (1) (title) of the statutes is amended to read:
SB44-SSA1,312,1515
20.425
(1) (title)
Promotion of peace in labor Labor relations.
SB44-SSA1,312,1817
20.425
(1) (a)
General program operations. The amounts in the schedule for
18the purposes provided in subchs. I, IV and V of ch. 111
and s. 230.45 (1).
SB44-SSA1,313,822
20.425
(1) (i)
Fees, collective bargaining training, and publications. The
23amounts in the schedule for the performance of fact-finding, mediation and
24arbitration functions
and, for the provision of copies of transcripts
, for the cost of
25operating training programs under ss. 111.09 (3), 111.71 (5), and 111.94 (3), and for
1the preparation of publications, transcripts, reports and other copied material. All
2moneys received under ss. 111.09 (1) and (2), 111.71 (1) and (2) and 111.94 (1) and (2),
3except as otherwise provided in those sections, all moneys received from arbitrators
4and arbitration panel members, and individuals who are interested in serving in
5such positions, and from individuals and organizations who participate in other
6collective bargaining training programs conducted by the commission, and all
7moneys received from the sale of publications, transcripts, reports, and other copied
8material shall be credited to this appropriation account.
SB44-SSA1,313,1811
20.435
(2) (bj)
Competency examinations and conditional and supervised
12release services. Biennially, the amounts in the schedule for
outpatient competency
13examinations
in a county with a population of 500,000 or more, and for payment by
14the department of costs for treatment and services for persons released under s.
15980.06 (2) (c), 1997 stats., or s. 971.17 (3) (d) or (4) (e) or 980.08 (5), for which the
16department has contracted with county departments under s. 51.42 (3) (aw) 1. d.,
17with other public agencies, or with private agencies to provide the treatment and
18services.
SB44-SSA1,313,2520
20.435
(2) (g)
Alternative services of institutes and centers. The amounts in the
21schedule to provide services under ss. 46.043 and 51.06 (1r). All moneys received as
22payments for services under ss. 46.043 and 51.06 (1r)
shall be credited to this
23appropriation account for provision of alternative services by mental health
24institutes under s. 46.043 and by centers for the developmentally disabled under s.
2551.06 (1r).
SB44-SSA1,315,82
20.435
(2) (gk)
Institutional operations and charges. The amounts in the
3schedule for care, other than under s. 51.06 (1r), provided by the centers for the
4developmentally disabled, to reimburse the cost of providing the services and to
5remit any credit balances to county departments that occur on and after
6July 1, 1978, in accordance with s. 51.437 (4rm) (c); for care, other than under s.
746.043, provided by the mental health institutes, to reimburse the cost of providing
8the services and to remit any credit balances to county departments that occur on and
9after January 1, 1979, in accordance with s. 51.42 (3) (as) 2.; for maintenance of
10state-owned housing at centers for the developmentally disabled and mental health
11institutes; for repair or replacement of property damaged at the mental health
12institutes or at centers for the developmentally disabled; and for reimbursing the
13total cost of using, producing, and providing services, products, and care. All moneys
14received as payments from medical assistance on and after August 1, 1978; as
15payments from all other sources including other payments under s. 46.10 and
16payments under s. 51.437 (4rm) (c) received on and after July 1, 1978; as medical
17assistance payments, other payments under s. 46.10, and payments under s. 51.42
18(3) (as) 2. received on and after January 1, 1979; as payments for the rental of
19state-owned housing and other institutional facilities at centers for the
20developmentally disabled and mental health institutes; for the sale of electricity,
21steam, or chilled water; as payments in restitution of property damaged at the
22mental health institutes or at centers for the developmentally disabled; for the sale
23of surplus property, including vehicles, at the mental health institutes or at centers
24for the developmentally disabled; and for other services, products, and care shall be
25credited to this appropriation, except that any payment under s. 46.10 received for
1the care or treatment of patients admitted under s. 51.10, 51.15, or 51.20 for which
2the state is liable under s. 51.05 (3), of patients admitted under s. 55.06 (9) (d) or (e)
3for which the state is liable under s. 55.05 (1), of forensic patients committed under
4ch. 971 or 975, admitted under ch. 975, or transferred under s. 51.35 (3), or of patients
5transferred from a state prison under s. 51.37 (5), to the Mendota Mental Health
6Institute or the Winnebago Mental Health Institute shall be treated as general
7purpose revenue — earned, as defined under s. 20.001 (4)
; and except that moneys
8received under s. 51.06 (6) may be expended only as provided in s. 13.101 (17).
SB44-SSA1,315,1210
20.435
(2) (gL)
Extended intensive treatment surcharge. All moneys received
11as payments of the surcharge for extended intensive treatment under s. 51.06 (5), for
12one-time payment of relocation costs for individuals under s. 46.275 (5) (e).
SB44-SSA1,315,1714
20.435
(3) (j)
Statewide automated child welfare information system receipts. 15All moneys received from counties under
s. ss. 46.22 (1) (c) 8. f. and 46.45 (2) (a), for
16the costs of implementing and operating the statewide automated child welfare
17information system established under s. 46.03 (7) (g).
SB44-SSA1,315,2419
20.435
(3) (kc)
Interagency and intra-agency aids; kinship care and long-term
20kinship care. The amounts in the schedule for payments under s. 48.57 (3m) and (3n).
21All moneys transferred from the appropriation account under s. 20.445 (3) (md) to
22this appropriation account shall be credited to this appropriation account.
23Notwithstanding s. 20.001 (3) (a), the unencumbered balance on June 30 of each year
24is transferred to the appropriation account under s. 20.445 (3)
(ky) (kx).
SB44-SSA1,316,9
120.435
(3) (kd)
Kinship care and long-term kinship care assessments. The
2amounts in the schedule for assessments of kinship care relatives, as defined in s.
348.57 (3m) (a) 2., and long-term kinship care relatives, as defined in s. 48.57 (3n) (a)
42., who provide care and maintenance for children to determine if those kinship care
5relatives and long-term kinship care relatives are eligible to receive payments under
6s. 48.57 (3m) or (3n). All moneys transferred from the appropriation account under
7s. 20.445 (3) (md) to this appropriation account shall be credited to this appropriation
8account. Notwithstanding s. 20.001 (3) (a), the unencumbered balance on June 30
9of each year is transferred to the appropriation account under s. 20.445 (3)
(ky) (kx).